Announcements

    Drinks

      Name ISIN Issuer Rating type Instrument rating Maturity date Coupon Coupon type Volume Currency
      DB 0.299 11/24/14 FRN DE000DB9ZLR2 DEUTSCHE BANK AG (LONDON BRANCH) Public WD 24/11/2014 0.299% Floating: Fixed Margin over Index 87,504,251 EUR
      DB 0.341 11/08/14 FRN DE000DB9ZLD2 DEUTSCHE BANK AG (LONDON BRANCH) Public WD 08/11/2014 0.341% Floating: Fixed Margin over Index 174,001,635 EUR
      DB 0.401 12/08/14 FRN DE000DB9ZLZ5 DEUTSCHE BANK AG (LONDON BRANCH) Public WD 08/12/2014 0.401% Floating: Fixed Margin over Index 54,502,523 EUR
      DB 2.000 04/08/15 FRN DE000DB2KT67 DEUTSCHE BANK AG (LONDON BRANCH) Public WD 08/04/2015 2% Floating: Fixed Margin over Index 1,000,008,332 EUR
      DB 2.000 04/16/15 FRN DE000DB0WH51 DEUTSCHE BANK AG (LONDON BRANCH) Public WD 16/04/2015 2% Floating: Fixed then Floating 200,003,319 EUR
      DB 2.000 04/30/15 FRN DE000DB0WH69 DEUTSCHE BANK AG (LONDON BRANCH) Public WD 30/04/2015 2% Floating: Fixed then Floating 200,009,665 EUR
      DB 2.800 01/21/15 DE000DB2KTR2 DEUTSCHE BANK AG (LONDON BRANCH) Public WD 21/01/2015 2.8% Variable: Step Up/Step Down 1,000,002,915 EUR
      DB 2.800 02/11/15 DE000DB2KTJ9 DEUTSCHE BANK AG (LONDON BRANCH) Public WD 11/02/2015 2.8% Variable: Step Up/Step Down 1,000,004,216 EUR
      DB 2.800 03/11/15 DE000DB2KUC2 DEUTSCHE BANK AG (LONDON BRANCH) Public WD 11/03/2015 2.8% Variable: Step Up/Step Down 1,000,001,560 EUR
      DB 2.800 04/08/15 DE000DB2KT59 DEUTSCHE BANK AG (LONDON BRANCH) Public WD 08/04/2015 2.8% Variable: Step Up/Step Down 1,000,004,086 EUR